Consolidated Financial Statement BRNA Jun 2018
CONSOLIDATED FINANCIAL STATEMENTS
As of June 30, 2018 (Unaudited) and December 31, 2017 (Audited)
And For The Six-Month Period Ended
June 30, 2018 (Unaudited) and June 30, 2017 (Unaudited)
PT Berlina Tbk and Its Subsidiaries
LAPORAN KEUANGAN KONSOLIDASIAN
PT Berlina Tbk dan Entitas Anaknya
30 Juni 2018 (Tidak Diaudit) dan 31 Desember 2017 (Diaudit)
Dan Untuk Periode Enam Bulan Yang Berakhir Pada Tanggal
30 Juni 2018 (Tidak Diaudit) dan 30 Juni 2017 (Tidak Diaudit)
LAPORAN KEUANGAN KONSOLIDASIAN
PT Berlina Tbk dan Entitas Anaknya
30 Juni 2018 (Tidak Diaudit) dan 31 Desember 2017 (Diaudit)
Dan Untuk Periode Enam Bulan Yang Berakhir Pada Tanggal
30 Juni 2018 (Tidak Diaudit) dan 30 Juni 2017 (Tidak Diaudit)
CONSOLIDATED FINANCIAL STATEMENTS
PT Berlina Tbk and Its Subsidiaries
As of June 30, 2018 (Unaudited) and December 31, 2017 (Audited)
And For The Six-Month Period Ended
June 30, 2018 (Unaudited) and June 30, 2017 (Unaudited)
DAFTAR ISI
TABLE OF CONTENTS
Halaman
SURAT PERNYATAAN DIREKSI
DIRECTORS’ STATEMENT LETTER
1 - Laporan Posisi Keuangan Konsolidasian
4 Consolidated statement of financial position Laporan laba rugi dan penghasilan
Consolidated statement of profit or loss and
5 - komprehensif lain konsolidasian 6 other comprehensive income Laporan Perubahan Ekuitas Konsolidasian
7 Consolidated statement of changes in equity Laporan Arus Kas Konsolidasian
8 9 - Consolidated statement of cash flows Catatan Atas Laporan Keuangan Konsolidasian 10 - 128 Notes to the consolidated financial statements
LAPORAN POSISI KEUANGAN KONSOLIDASIAN
30 Juni 2018 (Tidak Diaudit) dan 31 Desember 2017 (Diaudit)
(Dinyatakan dalam ribuan rupiah, kecuali dinyatakan lain)
PT BERLINA Tbk AND ITS SUBSIDIARIES
CONSOLIDATED STATEMENT OF FINANCIAL POSITION
As of June 30, 2018 (Unaudited) and December 31, 2017 (Audited)
(Expressed in thousand rupiah, unless otherwise stated)
30 Juni 2018/
31 Desember 2017/ June 30, 2018 December 31, 2017
Catatan/ Tidak Diaudit/ Diaudit/
Notes Unaudited Audited
Rp Rp ASET ASSETS ASET LANCAR
CURRENT ASSETS
Kas dan setara kas 4,44,46,47 54.325.376 67.552.749 Cash and cash equivalents
Investasi dalam efek Short-term investments injangka pendek 5,44,46,47 4.169.906 4.710.451 marketable securities
Piutang usaha:Trade receivables: 6,40,44,46, Pihak berelasi
47 21.526.907 25.764.300 Related party Pihak ketiga, Third parties, net of allowance for impairment of setelah dikurangi penyisihan penurunan nilai piutang receivables of Rp 1,702,195 sebesar Rp 1.072.195 dan and Rp 1,702,195 as of
Rp 1.072.195 masing-masing June 30, 2018 and pada tanggal 30 Juni 2018
December 31, 2017,
dan 31 Desember 2017 6,44,46,47 252.178.746 285.447.457 respectively
Other receivables - third
Piutang lain-lain - pihak ketiga 7,44,46,47 6.730.503 5.817.158 parties
Inventories, net of allowance Persediaan, setelah dikurangi for obsolote and penyisihan persediaan usang slow-moving inventories of dan lambat bergerak
Rp 4,123,998 and sebesar Rp 4.123.998 dan
Rp 4,123,998 as of Rp 4.123.998 masing-masing
June 30, 2018 and pada tanggal 30 Juni 2018
December 31, 2017, dan 31 Desember 2017 8 298.641.889 236.755.106 respectively Uang muka pembelian
9 60.167.471 45.086.041 Advances for purchase
Pajak dibayar di muka 38a 38.763.258 34.691.849 Prepaid taxes
Beban dibayar di muka 10 23.296.851 12.932.419 Prepaid expensesTotal aset lancar 759.800.907 718.757.530 Total current assets
Catatan atas laporan keuangan konsolidasian terlampir merupakan bagian yang
tidak terpisahkan dari laporan keuangan konsolidasian secara keseluruhan
The accompanying notes to the consolidated financial statements
are an integral part of these consolidated financial statements taken as a whole
LAPORAN POSISI KEUANGAN KONSOLIDASIAN
30 Juni 2018 (Tidak Diaudit) dan 31 Desember 2017 (Diaudit)
(Dinyatakan dalam ribuan rupiah, kecuali dinyatakan lain)
PT BERLINA Tbk AND ITS SUBSIDIARIES
CONSOLIDATED STATEMENT OF FINANCIAL POSITION
As of June 30, 2018 (Unaudited) and December 31, 2017 (Audited)
(Expressed in thousand rupiah, unless otherwise stated)
30 Juni 2018/
31 Desember 2017/ June 30, 2018 December 31, 2017
Catatan/ Tidak Diaudit/ Diaudit/
Notes Unaudited Audited
Rp Rp ASET (LANJUTAN) ASSETS (CONTINUED)
ASET TIDAK LANCAR NON-CURRENT ASSETS
Aset pajak tangguhan 38d 31.217.830 15.540.680 Deferred Tax Assets
Property, plant and equipment,Aset tetap, setelah dikurangi net of accumulated akumulasi penyusutan dan depreciation and allowance penyisihan penurunan for impairment loss of nilai sebesar Rp 446.696.538
Rp 446,696,538 and dan Rp 377.747.378
Rp 377,747,378 as of masing-masing pada tanggal
June 30, 2018 and
30 Juni 2018 dan December 31, 2017
31 Desember 2017 11,19,43 1.192.349.075 1.126.409.541 respectively
Goodwill 12 20.530.792 20.530.792 Goodwill Aset tak berwujud, setelahIntangible assets - net of dikurangi akumulasi accumulated amortization amortisasi sebesar of Rp 20,611,018 and
Rp 20.611.018 dan Rp 16,903,208 as of
Rp 16.903.208 masing-masing June 30, 2018 and pada tanggal 30 Juni 2018
December 31, 2017 dan 31 Desember 2017 13 54.916.432 58.624.243 respectively Aset keuangan tidak lancar
Other non-current
lainnya 14,46,47 9.354.569 9.339.563 financial assets
Aset tidak lancar lain-lain15 24.026.739 15.674.733 Other non-current assets Total non-current assets
Total aset tidak lancar 1.332.395.437 1.246.119.552
TOTAL ASET 2.092.196.344 1.964.877.082 TOTAL ASSETS
Catatan atas laporan keuangan konsolidasian terlampir merupakan bagian yang
tidak terpisahkan dari laporan keuangan konsolidasian secara keseluruhan
The accompanying notes to the consolidated financial statements
are an integral part of these consolidated financial statements taken as a whole
LAPORAN POSISI KEUANGAN KONSOLIDASIAN
30 Juni 2018 (Tidak Diaudit) dan 31 Desember 2017 (Diaudit)
(Dinyatakan dalam ribuan rupiah, kecuali dinyatakan lain)
PT BERLINA Tbk AND ITS SUBSIDIARIES
CONSOLIDATED STATEMENT OF FINANCIAL POSITION
As of June 30, 2018 (Unaudited) and December 31, 2017 (Audited)
(Expressed in thousand rupiah, unless otherwise stated)
30 Juni 2018/
31 Desember 2017/ June 30, 2018 December 31, 2017
Catatan/ Tidak Diaudit/ Diaudit/
Notes Unaudited Audited
Rp Rp LIABILITAS DAN EKUITAS LIABILITIES AND EQUITY LIABILITIES LIABILITAS LIABILITAS JANGKA PENDEK
CURRENT LIABILITIES
- Cerukan 16a 18.081.015 Bank overdraft
Pinjaman bank jangka pendek 16b,44,46,47 329.025.477 304.395.144 Short-term bank loans
Utang usaha - pihak ketiga 17,44,46,47 237.004.067 182.843.879 Trade payables - third parties
Utang pajak 38b 4.389.599 4.004.896 Taxes payable
Utang lain-lain - pihak ketiga 18,44,46,47 2.842.450 1.264.528 Other payables - third parties
Current portion of purchase Utang pembelian aset tetap of property, plant and
jangka pendek 19,44,46,47 76.561.309 43.807.459 equipment payable
Advances received from Uang muka dari pelanggan 20 4.877.612 4.995.088 customers Liabilitas imbalan kerja jangka
Short-term employee benefits
pendek 21,46,47 4.707.009 3.786.821 liabilities
Beban masih harus dibayar 22,44,46,47 25.134.493 27.447.659 Accrued expenses
Liabilitas jangka panjang yang Current portion of long-term jatuh tempo dalam satu tahun: liabilities :
Pinjaman bank 16c,44,46,47 70.507.194 49.957.637 Bank loans
Obligation under finance leasesUtang sewa pembiayaan 23,44,46,47 39.913.056 31.529.729 813.043.281 654.032.840 Total current liabilities LIABILITAS JANGKA
PANJANG
NON-CURRENT LIABILITIES
Liabilitas jangka panjang, setelah dikurangi bagian yang Long-term liabilities, jatuh tempo dalam satu tahun: net of current portion:
Pinjaman bank 16c,44,46,47 308.189.016 314.023.428 Bank loans
23, Obligation under finance leasesUtang sewa pembiayaan 44,45,46,47 67.233.064 54.238.690
Liabilitas pajak tangguhan 38d 28.715.649 27.671.235 Deferred tax liabilities
Liabilitas imbalan kerjaLong-term employee benefits jangka panjang 24 68.457.763 61.881.452 liabilities
472.595.492 457.814.805 Total non-current liabilities
TOTAL LIABILITAS 1.285.638.773 1.111.847.645 TOTAL LIABILITIES
Catatan atas laporan keuangan konsolidasian terlampir merupakan bagian yang
tidak terpisahkan dari laporan keuangan konsolidasian secara keseluruhan
The accompanying notes to the consolidated financial statements
are an integral part of these consolidated financial statements taken as a whole
LAPORAN POSISI KEUANGAN KONSOLIDASIAN
30 Juni 2018 (Tidak Diaudit) dan 31 Desember 2017 (Diaudit)
(Dinyatakan dalam ribuan rupiah, kecuali dinyatakan lain)
PT BERLINA Tbk AND ITS SUBSIDIARIES
CONSOLIDATED STATEMENT OF FINANCIAL POSITION
As of June 30, 2018 (Unaudited) and December 31, 2017 (Audited)
(Expressed in thousand rupiah, unless otherwise stated)
30 Juni 2018/
31 Desember 2017/ June 30, 2018 December 31, 2017
Catatan/ Tidak Diaudit/ Diaudit/
Notes Unaudited Audited
Rp Rp EKUITAS EQUITY
Modal Saham: Share Capital:
Modal dasar - 1.500.000.000 Authorized capital –
(angka penuh) saham 1,500,000,000 (full amount) dengan nilai nominal Rp 50 sahres with par value of
(nilai penuh) per saham; Rp 50 (full amount)
Modal ditempatkan dan per share; Issued and fully disetor penuh - 979.110.000 paid up - 979,110,000
(angka penuh) saham (full amount) shares masing-masing pada as of June 30, 2018 tanggal 30 Juni 2018 and December 31, 2017 dan 31 Desember 2017 25 48.955.500 48.955.500 respectively Tambahan modal disetor
26 246.579.048 246.579.048 Additional paid-in capital
Surplus revaluasi 11, 30 345.674.541 365.646.118 Revaluation surplus
Komponen ekuitas lainnya 27 68.416.110 55.775.209 Other equity components Saldo laba:Retained earnings:
Ditentukan penggunaannya 9.791.100 9.791.100 Appropriated
Belum ditentukanUnappropriated penggunaannya 48.208.147 86.645.525 Total ekuitas yang dapat
Total equity attributable diatribusikan kepada to owners of the parent
pemilik entitas induk 767.624.446 813.392.500 entity
Non-controlling interest Kepentingan non-pengendali 28 38.933.125 39.636.937
TOTAL EKUITAS 806.557.571 853.029.437 TOTAL EQUITY
TOTAL LIABILITAS DANTOTAL LIABILITIES AND
EKUITAS 2.092.196.344 1.964.877.082 EQUITY
Catatan atas laporan keuangan konsolidasian terlampir merupakan bagian yang
tidak terpisahkan dari laporan keuangan konsolidasian secara keseluruhan
The accompanying notes to the consolidated financial statements
are an integral part of these consolidated financial statements taken as a whole
Untuk Periode Enam Bulan Yang Berakhir Pada Tanggal 30 Juni 2018 (Tidak Diaudit) dan 30 Juni 2017 (Tidak Diaudit)
(Dinyatakan dalam ribuan rupiah, kecuali dinyatakan lain)
PT BERLINA Tbk AND ITS SUBSIDIARIES
CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME
For The Six-Month Period Ended June 30, 2018 (Unaudited) and June 30, 2017 (Unaudited)
(Expressed in thousand rupiah, unless otherwise stated)
30 Juni 2018/
30 Juni 2017/ June 30, 2018 June 30, 2017
Catatan/ Tidak Diaudit/ Tidak Diaudit/
Notes Unaudited Unaudited
Rp Rp PENJUALAN NETO NET SALES
31 655.946.556 648.779.384 BEBAN POKOK PENJUALAN
32 (622.553.603) (589.764.652) COST OF GOODS SOLD LABA BRUTO
GROSS PROFIT 33.392.953 59.014.732 Pendapatan lainnya
33 7.012.542 8.147.653 Other income
Pendapatan bunga dan keuangan 140.090 471.120 Interest and finance income
Beban penjualan 34 (21.508.690) (21.525.172) Selling expensesGeneral and administrative Beban umum dan administrasi 35 (39.164.011) (43.734.628) expenses Beban bunga dan keuangan
36 (41.415.173) (38.250.181) Interest and finance costs Beban lainnya 37 (8.526.826) (187.999.926) Other expenses
RUGI SEBELUM PAJAK (70.069.115) (223.876.402) LOSS BEFORE TAX
Manfaat pajak penghasilan 38ebadan 13.444.854 40.835.824 Corporate income tax benefit
RUGI TAHUN
BERJALAN (56.624.261) (183.040.578) LOSS FOR THE YEAR
PENGHASILAN KOMPREHENSIFOTHER COMPREHENSIVE LAINNYA:
INCOME: Pos-pos yang akan direklasifikasi ke
Items that will be reclassified to laba rugi: profit or loss: Foreign exchange differences
Selisih kurs dari penjabaran due to translation of financial laporan keuangan entitas anak 27 12.640.901 2.883.920 statements of subsidiaries Pos-pos yang tidak akan
Items that will not be direklasifikasi ke laba rugi: reclassified to profit or loss: Remeasurement
Pengukuran kembali imbalan kerja 24 (3.869.295) (1.922.746) of employee benefits Manfaat pajak penghasilan
terkait 38d 1.380.789 480.686 Related income tax benefit
TOTAL RUGI TOTAL COMPREHENSIVE KOMPREHENSIF TAHUN
LOSS FOR THE
BERJALAN (46.471.866) (181.598.718) YEAR
Catatan atas laporan keuangan konsolidasian terlampir merupakan bagian yang
tidak terpisahkan dari laporan keuangan konsolidasian secara keseluruhan
The accompanying notes to the consolidated financial statements
are an integral part of these consolidated financial statements taken as a whole
(Dinyatakan dalam ribuan rupiah, kecuali dinyatakan lain)
PT BERLINA Tbk AND ITS SUBSIDIARIES
CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME
30 Juni 2018/
Pemilik entitas induk (45.768.054) (166.166.935) Owners of the parent entity
Kepentingan non-pengendali 28 (703.812) (15.431.783) Non-controlling interest
Catatan atas laporan keuangan konsolidasian terlampir merupakan bagian yang
tidak terpisahkan dari laporan keuangan konsolidasian secara keseluruhan
The accompanying notes to the consolidated financial statements
are an integral part of these consolidated financial statements taken as a whole
39 (57) (171) the parent entity
Rugi per saham dasar tahun Basic loss per share berjalan yang diatribusikan kepada attributable to the owners of pemilik entitas induk
(angka penuh) PER SHARE (full amount)
Total (46.471.866) (181.598.718) Total RUGI PER SAHAM DASAR
Rugi komprehensif yang dapat Total comprehensive loss diatribusikan kepada: attributable to:
For The Six-Month Period Ended June 30, 2018 (Unaudited) and June 30, 2017 (Unaudited)
(Expressed in thousand rupiah, unless otherwise stated)
Total (56.624.261) (183.040.578) Total
Pemilik entitas induk (56.175.906) (167.684.981) Owners of the parent entity
Kepentingan non-pengendali 28 (448.355) (15.355.597) Non-controlling interestLoss for the year diatribusikan kepada: attributable to:
Rp Rp Rugi tahun berjalan yang dapat
Catatan/ Tidak Diaudit/ Tidak Diaudit/
Notes Unaudited Unaudited
30 Juni 2017/ June 30, 2018 June 30, 2017
Untuk Periode Enam Bulan Yang Berakhir Pada Tanggal 30 Juni 2018 (Tidak Diaudit) dan 30 Juni 2017 (Tidak Diaudit)
BASIC LOSS
PT BERLINA Tbk DAN ENTITAS ANAKNYA
LAPORAN PERUBAHAN EKUITAS KONSOLIDASIAN
Untuk Periode Enam Bulan Yang Berakhir Pada Tanggal 30 Juni 2018 (Tidak Diaudit) dan 30 Juni 2017 (Tidak Diaudit) dan 31 Desember 2017 (Diaudit)
(Dinyatakan dalam ribuan rupiah, kecuali dinyatakan lain)
PT BERLINA Tbk AND ITS SUBSIDIARIES
CONSOLIDATED STATEMENT OF CHANGES IN EQUITY
For The Six-Month Period Ended June 30, 2018 (Unaudited) and June 30, 2017 (Unaudited) and December 31, 2017 (Audited)
(Expressed in thousand rupiah, unless otherwise stated)
Ekuitas yang dapat diatribusikan kepada pemilik entitas induk/ Equity attributable to the owners of the parent entity
Komponen Saldo laba/ Ekuitas Lainnya/ Retained earnings Other equity component
Selisih kurs karena penjabaran laporan Tambahan Belum Surplus keuangan entitas anak/ Kepentingan modal disetor/ Ditentukan ditentukan Revaluasi/ Foreign exchange difference non-pengendali/ Total Catatan/ Modal saham/ Additional penggunaannya/ penggunaannya/ Revaluation due to translation of financial Total/ Non-controlling Ekuitas/
Notes Share capital paid-in capital Appropriated Unappropriated Surplus statements of subsidiaries Total interest Total equity
Rp Rp Rp Rp Rp Rp Rp Rp Rp
Saldo awal 1 Januari 2017 48.955.500 246.579.048 6.900.000 229.537.381 406.082.916 42.274.353 980.329.198 48.024.077 1.028.353.275 Balance as of January 1, 2017
Reclassification of
30 - Reklasifikasi surplus revaluasi 40.436.798 (40.436.798) -
- - - - revaluation surplus -
- 29
- Pembagian dividen - - (2.937.330) (2.937.330) (1.800.000) (4.737.330) Dividends paid - 29 2.891.100 (2.891.100) - -
General reserve - - - - - Pembentukan dana cadangan Total rugi komprehensif
Total comprehensive loss (177.500.224) 13.500.856 (163.999.368) (6.587.140) for 2017 - - - - tahun 2017
(170.586.508)
Saldo 31 Desember 2017 48.955.500 246.579.048 9.791.100 86.645.525 365.646.118 55.775.209 813.392.500 39.636.937 853.029.437 Balance as of December 31, 2017
Reclassification of Reklasifikasi surplus revaluasi 30 - - 19.971.577 (19.971.577) - - revaluation surplus - - - Total rugi komprehensif
Total comprehensive loss periode berjalan
(58.408.955) 12.640.901 (45.768.054) (703.812) for the current year - - - - (46.471.866)
Saldo 30 Juni 2018 48.955.500 246.579.048 9.791.100 48.208.147 345.674.541 68.416.110 767.624.446 38.933.125 806.557.571 Balance as of June 30, 2018
Saldo awal 1 Januari 2017 48.955.500 246.579.048 6.900.000 229.537.381 406.082.916 42.274.353 980.329.198 48.024.077 1.028.353.275 Balance as of January 1, 2017
Reclassification of30 - - 23.885.321 (23.885.321) - - -
- Reklasifikasi surplus revaluasi
- revaluation surplus
29 (2.937.330) - - (2.937.330) (2.937.330) - - - Pembagian dividen
Dividends paid - 29 2.891.100 (2.891.100) - - - - - Pembentukan dana cadangan
General reserve -
- - Total rugi komprehensif
Total comprehensive loss periode berjalan
(169.050.855) 2.883.920 (166.166.935) (15.431.783) (181.598.718) - - - - for the current year
Saldo 30 Juni 2017 48.955.500 246.579.048 9.791.100 78.543.417 382.197.595 45.158.273 811.224.933 32.592.294 843.817.227 Balance as of June 30, 2017
Catatan atas laporan keuangan konsolidasian terlampir merupakan bagian yang
tidak terpisahkan dari laporan keuangan konsolidasian secara keseluruhan
The accompanying notes to the consolidated financial statements
are an integral part of these consolidated financial statements taken as a whole
7
LAPORAN ARUS KAS KONSOLIDASIAN
Untuk Periode Enam Bulan Yang Berakhir Pada Tanggal 30 Juni 2018 (Tidak Diaudit) dan 30 Juni 2017 (Tidak Diaudit)
(Disajikan dalam ribuan rupiah, kecuali dinyatakan lain)
PT BERLINA Tbk AND ITS SUBSIDIARIES
CONSOLIDATED STATEMENT OF CASH FLOWS
For The Six-Month Period Ended June 30, 2018 (Unaudited) and June 30, 2017 (Unaudited)
(Expressed in thousand rupiah, unless otherwise stated)
30 Juni 2018/
30 Juni 2017/ June 30, 2018 June 30, 2017
Catatan/ Tidak Diaudit/ Tidak Diaudit/
Notes Unaudited Unaudited
Rp Rp ARUS KAS DARI CASH FLOWS FROM AKTIVITAS OPERASI
OPERATING ACTIVITIES
Penerimaan kas dari pelanggan 694.748.609 658.371.791 Cash receipts from customers
Pembayaran kas kepada pemasok (484.356.013) (401.276.196) Cash paid to suppliers
Pembayaran kas kepada karyawan (122.088.638) (122.862.629) Cash paid to employees
Kas dihasilkan dari operasi 88.303.958 134.232.966 Cash generated from operations
Pembayaran bunga dan bebankeuangan (40.864.635) (38.504.588) Interest and finance cost paid
Pembayaran pajak penghasilan (6.628.985) (7.890.608) Income tax paid
Penerimaan dari pengembalianpajak 3.230.923 - Cash received from tax refund
Kas neto diperoleh dari Net cash provided by
aktivitas operasi 44.041.261 87.837.770 operating activities
CASH FLOWS FROM ARUS KAS DARI AKTIVITAS INVESTASI
INVESTING ACTIVITIES
Hasil penjualan aset tetap dijual Proceed from sale and
dan disewa kembali 11,45 52.066.733 - lease-back transaction
Proceeds from sale of
Hasil penjualan aset tetap 11,44 714.738 13.637 property, plant and equipment
Penerimaan bunga 140.090 471.120 Interest received
Penerimaan klaim asuransi 984.746 Proceeds from insurance claims -Acquisitions of property,
Perolehan aset tetap 11,45 (61.617.007) (29.982.275) plant and equipment
Perolehan aset tak bewujud 13,45 (225.924) - Acquisitions of intangible assets
Advance payment for purchase Pembayaran uang muka pembelian of property, plant and
aset tetap 9,45 (30.982.476) (19.732.925) equipment
Kas neto digunakan untuk Net cash flows
aktivitas investasi (38.693.176) (49.456.367) used in investing activities
Catatan atas laporan keuangan konsolidasian terlampir merupakan bagian yang
tidak terpisahkan dari laporan keuangan konsolidasian secara keseluruhan
The accompanying notes to the consolidated financial statements
are an integral part of these consolidated financial statements taken as a whole
LAPORAN ARUS KAS KONSOLIDASIAN
Untuk Periode Enam Bulan Yang Berakhir Pada Tanggal 30 Juni 2018 (Tidak Diaudit) dan 30 Juni 2017 (Tidak Diaudit)
(Disajikan dalam ribuan rupiah, kecuali dinyatakan lain)
PT BERLINA Tbk AND ITS SUBSIDIARIES
CONSOLIDATED STATEMENT OF CASH FLOWS
For The Six-Month Period Ended June 30, 2018 (Unaudited) and June 30, 2017 (Unaudited)
(Expressed in thousand rupiah, unless otherwise stated)
30 Juni 2018/
30 Juni 2017/ June 30, 2018 June 30, 2017
Catatan/ Tidak Diaudit/ Tidak Diaudit/
Notes Unaudited Unaudited
Rp Rp ARUS KAS DARI CASH FLOWS FROM AKTIVITAS PENDANAAN
FINANCING ACTIVITIES Penerimaan pinjaman bank jangka
Proceeds from short-term bank
pendek 16b,44 469.024.907 329.742.745 loans
Penerimaan pinjaman bank jangkaProceeds from long-term bank
panjang 16c,44 32.483.695 3.303.662 loans
Pembayaran pinjaman bank jangkaPayments of short-term bank
pendek 16b,44 (450.614.013) (435.827.874) loans
Pembayaran pinjaman bank jangkaPayments of long-term bank
panjang 16c,44 (17.768.550) (21.500.602) loans
Pembayaran utang sewaPayments of obligation under
pembiayaan 23,44 (31.268.184) (21.715.564) finance lease
Pembayaran utang pembelianPayments of property, plant and
aset tetap 19,44 (40.414.563) (8.643.872) equipment payable
Pembayaran dividen -29 (2.915.026) Payment of cash dividends Kas neto digunakan
Net cash used in
untuk aktivitas pendanaan (38.556.708) (157.556.531) financing activities
KENAIKAN (PENURUNAN)NET INCREASE (DECREASE) IN NETO KAS DAN
CASH AND
SETARA KAS (33.208.623) (119.175.128) CASH EQUIVALENTS
CASH AND KAS DAN SETARA KAS CASH EQUIVALENTS
AWAL TAHUN 67.552.749 175.194.943 AT BEGINNING OF YEAR
Pengaruh perubahan kurs Effect of changes in foreign
mata uang asing 1.900.235 284.536 exchange rate
KAS DAN SETARA KAS CASH AND CASH EQUIVALENTS
AKHIR TAHUN 36.244.361 56.304.351 AT END OF YEAR
KAS DAN SETARA KAS TERDIRICASH AND CASH DARI:
EQUIVALENTS COMPRISE OF Kas 4 486.345 358.226 Cash on hand Bank
4 53.839.031 59.044.203 Cash in bank
Cerukan 16a (18.081.015) (3.098.078) Bank overdraft
36.244.361 56.304.351TOTAL TOTAL
Catatan atas laporan keuangan konsolidasian terlampir merupakan bagian yang
tidak terpisahkan dari laporan keuangan konsolidasian secara keseluruhan
The accompanying notes to the consolidated financial statements
are an integral part of these consolidated financial statements taken as a whole
1. GENERAL
(Dinyatakan dalam ribuan Rupiah, kecuali dinyatakan lain) Sesuai dengan Pasal 3 Anggaran Dasar Perusahaan, ruang lingkup kegiatan Perusahaan meliputi industri pengolahan biji plastik, perdagangan umum dan jasa. Perusahaan mulai beroperasi secara komersial pada tahun 1970. Hasil produksi Perusahaan dipasarkan di dalam dan luar negeri.
(Expressed in thousand rupiah, unless otherwise stated)
PT BERLINA Tbk AND ITS SUBSIDIARIES
NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
As of June 30, 2018 (Unaudited) and December 31, 2017 (Audited)
And For The Six-Month Period Ended June 30, 2018 (Unaudited) and June 30, 2017 (Unaudited)
1. U M U M
a. Pendirian dan informasi umum
The Articles of Association have been amended several times, most recently by notarial deed No. 184 of Humberg Lie, S.H, S.E, M.Kn., notary in North Jakarta dated November 30, 2016, concerning the changes in the Article No. 4 paragraph 2 of Articles of Association. These changes were approved by the Minister of Law and Human Rights of the Republic of Indonesia in his Decision Letter AHU-AH.01.03-0105519 dated December 6, 2016.
Kantor pusat Perusahaan beralamat di Jl. Jababeka Raya Blok E No. 12-17, Kawasan Industri Jababeka, Cikarang, Kabupaten Bekasi. Perusahaan mempunyai pabrik yang berlokasi di Pandaan (Jawa Timur), Tangerang (Banten) dan Cikarang (Jawa Barat), Sidoarjo (Jawa Timur), Hefei (China) dan Gempol (Jawa Timur).
The Company’s head office is located at Jl. Jababeka Raya Blok E No. 12-17, Jababeka Industrial Estate, Cikarang, Bekasi District. The Company’s plants are located in Pandaan (East Java), Tangerang (Banten) and Cikarang (West Java), Sidoarjo (East Java), Hefei (China) and Gempol (East Java).
Anggaran Dasar Perusahaan telah mengalami beberapa kali perubahan, terakhir dengan akta Notaris No. 184 dari Humberg Lie, S.H, S.E, M.Kn., notaris di Jakarta Utara tanggal 30 Nopember 2016 mengenai perubahan Pasal 4 ayat 2 Anggaran Dasar Perusahaan. Akta perubahan ini telah memperoleh persetujuan dari Menteri Hukum dan Hak Asasi Manusia Republik Indonesia dengan surat keputusannya No. AHU- AH.01.03-0105519 tanggal 6 Desember 2016.
a. Establishment and general information
Dan Untuk Periode Enam Bulan Yang Berakhir Pada Tanggal 30 Juni 2018 (Tidak Diaudit) dan 30 Juni 2017 (Tidak Diaudit)
The Company has started its commercial operations in 1970. The Company’s products are sold both locally and overseas.
Perusahaan tergabung dalam kelompok usaha yang dimiliki oleh PT Dwi Satrya Utama yang merupakan entitas induk langsung dan terakhir Perusahaan.
The Company is one of the groups of companies owned by PT Dwi Satrya Utama which is the Company’s immediate and ultimate parent entity.
Pada tanggal 12 September 1989, Perusahaan memperoleh persetujuan dari Menteri Keuangan dengan suratnya No. SI- 048/SHM/MK-10/1989 untuk melakukan penawaran umum atas saham Perusahaan kepada masyarakat. Pada tanggal 15 Nopember 1989, saham-saham tersebut telah dicatatkan pada Bursa Efek Indonesia.
On September 12, 1989, the Company obtained an authorization from the Minister of Finance, as stated in his Decision Letter No. SI-048/SHM/MK-10/1989 for its initial public offering. On November 15, 1989, the shares were listed in the Indonesian Stock Exchange.
PT Berlina Tbk (the “Company”) was established within the framework of the Domestic Capital Investment Law No. 6 year 1968 as amended by Law No. 12 year 1970, and by Law No. 25 year 2007. Based on notarial deed No. 35, of Juliaan Nimrod Siregar Gelar Mangaradja Namora S.H, notary in Jakarta dated August 18, 1969. The Articles of Association was approved by the Minister of Justice of the Republic of Indonesia in his Decision Letter No. Y.A. 5/423/18 dated December 12, 1973 and was published in the State Gazette No. 37 dated May 10, 1977.
Undang-undang No. 12 tahun 1970 dan perubahan yang terakhir Undang-undang No. 25 tahun 2007, berdasarkan akta No. 35 dari Juliaan Nimrod Siregar Gelar Mangaradja Namora S.H, notaris di Jakarta tanggal 18 Agustus 1969. Akta pendirian ini disahkan oleh Menteri Kehakiman Republik Indonesia dalam Surat Keputusannya No. Y.A. 5/423/18 tanggal 12 Desember 1973 serta diumumkan dalam Lembaran Berita Negara No. 37 tanggal 10 Mei 1977.
PT Berlina Tbk (”Perusahaan”) didirikan dalam rangka Undang- undang Penanaman Modal Dalam Negeri No. 6 tahun 1968.
In accordance with Article 3 of the Company’s Articles of Association, the scope of its activities is mainly to engage in the plastic processing industry, general trading and services.
Dan Untuk Periode Enam Bulan Yang Berakhir Pada Tanggal 30 Juni 2018 (Tidak Diaudit) dan 30 Juni 2017 (Tidak Diaudit)
(Dinyatakan dalam ribuan Rupiah, kecuali dinyatakan lain)
PT BERLINA Tbk AND ITS SUBSIDIARIES
NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
As of June 30, 2018 (Unaudited) and December 31, 2017 (Audited)
And For The Six-Month Period Ended June 30, 2018 (Unaudited) and June 30, 2017 (Unaudited)
(Expressed in thousand rupiah, unless otherwise stated)
1. U M U M (Lanjutan)
1. GENERAL (Continued)
b. Penawaran Umum Saham Perusahaan
In August 2008, the Company decided to split off the par value of its share from Rp 500 per share (full amount) to Rp 250 per share (full amount). All of the Company’s shares totaling 138,000,000 (full amount) shares have been listed in the Indonesian Stock Exchange.
Pada bulan Nopember 2012, Perusahaan kembali melakukan pemecahan nilai nominal saham dari Rp 250 per saham (nilai penuh) menjadi Rp 50 per saham (nilai penuh), sehingga jumlah saham meningkat menjadi 690.000.000 (angka penuh) saham. Seluruh saham Perusahaan sejumlah 690.000.000 (angka penuh) saham telah tercatat di Bursa Efek Indonesia.
Pada bulan Agustus 2008, Perusahaan menetapkan pelaksanaan pemecahan nilai nominal saham dari Rp 500 per saham (nilai penuh) menjadi Rp 250 per saham (nilai penuh). Seluruh saham Perusahaan sejumlah 138.000.000 (angka penuh) saham telah tercatat di Bursa Efek Indonesia.
Pada bulan Desember 2015, Perusahaan melakukan Penambahan Modal tanpa Hak Memesan Efek Terlebih Dahulu sebesar 69.000.000 (angka penuh) saham sehingga jumlah saham beredar meningkat menjadi 759.000.000 (angka penuh) saham.
In December 2015, the Company conducted an Additional Share Issuance without Pre-emptive Right amounting to 69,000,000 (full amount) shares, increasing its issued share capital to 759,000,000 (full amount) shares.
Pada tanggal 14 September 2016, Perusahaan memperoleh pernyataan efektif dari Ketua Otoritas Jasa Keuangan (OJK) dengan suratnya No. S-518/D.04/2016, untuk melakukan Penawaran Umum Terbatas II dengan Hak Memesan Efek Terlebih Dahulu sebesar 220.110.000 (angka penuh) saham, sehingga jumlah saham beredar meningkat menjadi 979.110.000 (angka penuh) saham.
On September 14, 2016, the Company obtained the notice of effectivity from the Chairman of Financial Services Authority (OJK) through its letter No. S-518/D.04/2016, for its Limited Public Offering II with Pre-emptive Rights amounting to 220,110,000 (full amount) shares, increasing the number of issued shares to 979,110,000 (full amount) shares.
Pada tanggal 21 Juni 1993, Perusahaan memperoleh pernyataan efektif dari Ketua Badan Pengawas Pasar Modal (sekarang Otoritas Jasa Keuangan (“OJK”) dengan suratnya No. 0154/PM/1993, untuk melakukan Penawaran Umum Terbatas Dengan Hak Memesan Efek Terlebih Dahulu sebesar 17.250.000 (angka penuh) saham. Saham-saham tersebut dicatatkan pada Bursa Efek Indonesia pada tanggal 22 Juli 1993.
On June 21, 1993, the Company obtained the notice of effectivity from the Chairman of Capital Market Supervisory Agency (now known as Financial Services Authority (“OJK”) as stated in his Letter No. 0154/PM/1993 for its limited offering of 17,250,000 (full amount) shares through issuance of pre-emptive rights to shareholders. The shares were listed in the Indonesian Stock Exchange on July 22, 1993.
b. Public offering of shares of the Company
In November 2012, the Company conducted a stock split of the par value of its share from Rp 250 per share (full amount) to Rp 50 per share (full amount), increasing its issued shares to 690,000,000 (full amount) shares. All of the Company’s shares totaling 690,000,000 (full amount) shares have been listed in the Indonesian Stock Exchange.
Dan Untuk Periode Enam Bulan Yang Berakhir Pada Tanggal 30 Juni 2018 (Tidak Diaudit) dan 30 Juni 2017 (Tidak Diaudit)
(Dinyatakan dalam ribuan Rupiah, kecuali dinyatakan lain)
PT BERLINA Tbk AND ITS SUBSIDIARIES
NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
As of June 30, 2018 (Unaudited) and December 31, 2017 (Audited)
And For The Six-Month Period Ended June 30, 2018 (Unaudited) and June 30, 2017 (Unaudited)
(Expressed in thousand rupiah, unless otherwise stated)
1. U M U M
1. GENERAL
a. Pendirian dan informasi umum (Lanjutan)
a. Establishment and general information (Continued)
Saham-saham tersebut dicatatkan pada Bursa Efek Indonesia pada tanggal 10 Oktober 2016. Berdasarkan Akta No. 184 dari Notaris Humberg Lie, SH, M.Kn., tanggal 30 Nopember 2016, Rapat Umum Pemegang Saham Luar Biasa menyetujui rencana Perusahaan melakukan penambahan modal dengan Hak Memesan Efek Terlebih Dahulu (HMETD) sesuai dengan Peraturan OJK No. 32/POJK.04/2015 tentang Penambahan Modal Perusahaan Terbuka Dengan Memberikan Hak Memesan Efek Terlebih Dahulu
(“Penawaran Umum Terbatas
II/PUT II”) yaitu sebanyak 220.110.000 (angka penuh) saham. Sehingga modal ditempatkan dan disetor Perseroan meningkat dari sejumlah 759.000.000 (angka penuh) lembar saham dengan nilai nominal seluruhnya sebesar Rp 37.950.000 menjadi 979.110.000 (angka penuh) saham dengan nominal seluruhnya sebesar Rp 48.955.500.
Those shares have been listed in Indonesian Stock Exchange on October 10, 2016. Based on the notarial deed No. 184 dated November 30, 2016, of Humberg Lie, SH, M.Kn., the Company the Extraordinary General Meeting of Shareholders approved the Company’s plan to conduct an additional share issuance With Pre-emptive Rights (HMETD) according to the FSA’s regulation No. 32/POJK.04/2015 of Additional Share Issuance With Pre-emptive Rights (“Limited Public Offering